2023 Q2 Form 10-Q Financial Statement

#000162828023014187 Filed on April 28, 2023

View on sec.gov

Income Statement

Concept 2023 Q2 2023 Q1 2022 Q1
Revenue $3.177B $3.871B $3.670B
YoY Change 6.5% 5.48% 4.11%
Cost Of Revenue
YoY Change
Gross Profit
YoY Change
Gross Profit Margin
Selling, General & Admin $2.271B $2.335B $2.237B
YoY Change 2.39% 4.38% 1.73%
% of Gross Profit
Research & Development
YoY Change
% of Gross Profit
Depreciation & Amortization $64.00M $38.00M $38.00M
YoY Change 60.0% 0.0% -7.32%
% of Gross Profit
Operating Expenses $2.335B $2.398B $2.303B
YoY Change 2.28% 4.13% 1.01%
Operating Profit $842.0M $1.473B $1.367B
YoY Change 20.29% 7.75% 9.8%
Interest Expense -$125.0M $111.0M $91.00M
YoY Change -222.55% 21.98% 15.19%
% of Operating Profit -14.85% 7.54% 6.66%
Other Income/Expense, Net -$59.00M -$25.00M $25.00M
YoY Change -296.67% -200.0% -1350.0%
Pretax Income $658.0M $1.342B $1.304B
YoY Change 3.95% 2.91% 11.74%
Income Tax $83.00M $263.0M $256.0M
% Of Pretax Income 12.61% 19.6% 19.63%
Net Earnings $560.0M $1.050B $1.023B
YoY Change 11.78% 2.64% 12.05%
Net Earnings / Revenue 17.63% 27.12% 27.87%
Basic Earnings Per Share $2.74 $5.09 $4.75
Diluted Earnings Per Share $2.71 $5.07 $4.73
COMMON SHARES
Basic Shares Outstanding 204.2M shares 205.1M shares 215.3M shares
Diluted Shares Outstanding 206.3M shares 207.1M shares 216.4M shares

Balance Sheet

Concept 2023 Q2 2023 Q1 2022 Q1
SHORT-TERM ASSETS
Cash & Short-Term Investments $1.152B $1.291B $7.750B
YoY Change 17.19% -83.34% 15.81%
Cash & Equivalents $952.0M $1.119B $595.0M
Short-Term Investments $200.0M $172.0M $7.155B
Other Short-Term Assets $19.03B $511.0M $593.0M
YoY Change 2732.29% -13.83% 20.53%
Inventory
Prepaid Expenses $164.0M $143.0M $132.0M
Receivables $3.764B $3.713B $3.625B
Other Receivables $0.00 $0.00 $48.00M
Total Short-Term Assets $23.95B $22.14B $20.55B
YoY Change 8.04% 7.78% 8.67%
LONG-TERM ASSETS
Property, Plant & Equipment $1.317B $605.0M $515.0M
YoY Change 160.79% 17.48% -11.82%
Goodwill $8.360B $8.319B $8.496B
YoY Change 0.78% -2.08% -1.06%
Intangibles $425.0M $530.0M
YoY Change -19.81%
Long-Term Investments $45.00M $63.00M $62.00M
YoY Change -29.69% 1.61% -16.22%
Other Assets $2.155B $507.0M $520.0M
YoY Change 328.43% -2.5% -12.75%
Total Long-Term Assets $12.10B $12.11B $12.95B
YoY Change -3.61% -6.47% -2.44%
TOTAL ASSETS
Total Short-Term Assets $23.95B $22.14B $20.55B
Total Long-Term Assets $12.10B $12.11B $12.95B
Total Assets $36.05B $34.25B $33.49B
YoY Change 3.83% 2.28% 4.09%
SHORT-TERM LIABILITIES
YoY Change
Accounts Payable $1.625B $1.681B $1.728B
YoY Change -5.96% -2.72% 6.14%
Accrued Expenses $184.0M $182.0M $207.0M
YoY Change -7.54% -12.08% -6.76%
Deferred Revenue $355.0M $337.0M $323.0M
YoY Change 8.56% 4.33% -5.0%
Short-Term Debt $382.0M $420.0M $100.0M
YoY Change 59.17% 320.0%
Long-Term Debt Due $1.338B $775.0M $499.0M
YoY Change 81.06% 55.31%
Total Short-Term Liabilities $22.95B $20.60B $19.19B
YoY Change 8.88% 7.33% 14.06%
LONG-TERM LIABILITIES
Long-Term Debt $9.989B $10.58B $9.685B
YoY Change 3.34% 9.21% 33.35%
Other Long-Term Liabilities $2.829B $1.063B $871.0M
YoY Change 230.11% 22.04% -3.76%
Total Long-Term Liabilities $12.82B $11.64B $10.56B
YoY Change 21.81% 10.27% 29.24%
TOTAL LIABILITIES
Total Short-Term Liabilities $22.95B $20.60B $19.19B
Total Long-Term Liabilities $12.82B $11.64B $10.56B
Total Liabilities $35.98B $34.20B $32.20B
YoY Change 6.05% 6.2% 15.77%
SHAREHOLDERS EQUITY
Retained Earnings -$2.505B -$2.388B -$1.609B
YoY Change 45.05% 48.42% -189.34%
Common Stock $6.908B $6.862B $6.629B
YoY Change 3.55% 3.51% 4.39%
Preferred Stock
YoY Change
Treasury Stock (at cost)
YoY Change
Treasury Stock Shares
Shareholders Equity $65.00M -$70.00M $1.177B
YoY Change
Total Liabilities & Shareholders Equity $36.05B $34.25B $33.49B
YoY Change 3.83% 2.28% 4.09%

Cashflow Statement

Concept 2023 Q2 2023 Q1 2022 Q1
OPERATING ACTIVITIES
Net Income $560.0M $1.050B $1.023B
YoY Change 11.78% 2.64% 12.05%
Depreciation, Depletion And Amortization $64.00M $38.00M $38.00M
YoY Change 60.0% 0.0% -7.32%
Cash From Operating Activities $688.0M $443.0M $463.0M
YoY Change 2.99% -4.32% -17.47%
INVESTING ACTIVITIES
Capital Expenditures $69.00M $76.00M $23.00M
YoY Change -253.33% 230.43% -20.69%
Acquisitions $2.000M $134.0M
YoY Change -98.51%
Other Investing Activities -$8.000M $281.0M -$240.0M
YoY Change -104.37% -217.08% -283.21%
Cash From Investing Activities -$77.00M $205.0M -$263.0M
YoY Change -155.8% -177.95% -357.84%
FINANCING ACTIVITIES
Cash Dividend Paid
YoY Change
Common Stock Issuance & Retirement, Net
YoY Change
Debt Paid & Issued, Net $2.208B
YoY Change 239.69%
Cash From Financing Activities -443.0M $404.0M $500.0M
YoY Change -17.5% -19.2% -173.42%
NET CHANGE
Cash From Operating Activities 688.0M $443.0M $463.0M
Cash From Investing Activities -77.00M $205.0M -$263.0M
Cash From Financing Activities -443.0M $404.0M $500.0M
Net Change In Cash 168.0M $1.110B $650.0M
YoY Change -37.55% 70.77% -1350.0%
FREE CASH FLOW
Cash From Operating Activities $688.0M $443.0M $463.0M
Capital Expenditures $69.00M $76.00M $23.00M
Free Cash Flow $619.0M $367.0M $440.0M
YoY Change -13.18% -16.59% -17.29%

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<div style="margin-bottom:8pt;margin-top:8pt;text-align:justify"><span style="color:#000000;font-family:'Times New Roman',sans-serif;font-size:10pt;font-style:italic;font-weight:700;line-height:120%">Use of Estimates</span></div><div style="margin-bottom:8pt;margin-top:8pt;text-align:justify"><span style="color:#000000;font-family:'Times New Roman',sans-serif;font-size:10pt;font-weight:400;line-height:120%">The preparation of the accompanying Condensed Consolidated Financial Statements in conformity with U.S. GAAP requires management to make estimates and assumptions that affect the reported amounts of assets and liabilities, the disclosures of contingent assets and liabilities at the date of the Condensed Consolidated Financial Statements, and the reported amounts of reserves and expenses. These estimates and assumptions are based on management’s best estimates and judgments. Management evaluates its estimates and assumptions on an ongoing basis using historical experience and other factors, including the current economic environment. Management believes its estimates to be reasonable given the current facts available. Aon adjusts such estimates and assumptions when facts and circumstances dictate. Illiquid credit markets, volatile equity markets, and foreign currency exchange rate movements increase the uncertainty inherent in such estimates and assumptions. As future events and their effects cannot be determined with precision, actual results could differ significantly from these estimates. Changes in estimates resulting from continuing changes in the economic environment would, if applicable, be reflected in the Condensed Consolidated Financial Statements in future periods.</span></div>
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447000000 usd
CY2023Q1 us-gaap Finite Lived Intangible Assets Amortization Expense Remainder Of Fiscal Year
FiniteLivedIntangibleAssetsAmortizationExpenseRemainderOfFiscalYear
73000000 usd
CY2023Q1 us-gaap Finite Lived Intangible Assets Amortization Expense Next Twelve Months
FiniteLivedIntangibleAssetsAmortizationExpenseNextTwelveMonths
82000000 usd
CY2023Q1 us-gaap Finite Lived Intangible Assets Amortization Expense Year Two
FiniteLivedIntangibleAssetsAmortizationExpenseYearTwo
68000000 usd
CY2023Q1 us-gaap Stock Repurchase Program Authorized Amount1
StockRepurchaseProgramAuthorizedAmount1
27500000000 usd
CY2023Q1 us-gaap Finite Lived Intangible Assets Net
FiniteLivedIntangibleAssetsNet
425000000 usd
CY2023Q1 aon Number Of Credit Facilities
NumberOfCreditFacilities
2 credit_facility
CY2023Q1 aon Number Of Credit Facilities
NumberOfCreditFacilities
2 credit_facility
CY2023Q1 us-gaap Line Of Credit
LineOfCredit
0 usd
CY2022Q1 us-gaap Effective Income Tax Rate Continuing Operations
EffectiveIncomeTaxRateContinuingOperations
0.196
CY2023Q1 us-gaap Effective Income Tax Rate Continuing Operations
EffectiveIncomeTaxRateContinuingOperations
0.196
CY2012Q2 us-gaap Stock Repurchase Program Authorized Amount1
StockRepurchaseProgramAuthorizedAmount1
5000000000 usd
CY2020Q4 aon Stock Repurchase Program Authorized Amount Increase During Period
StockRepurchaseProgramAuthorizedAmountIncreaseDuringPeriod
5000000000 usd
CY2014Q4 aon Stock Repurchase Program Authorized Amount Increase During Period
StockRepurchaseProgramAuthorizedAmountIncreaseDuringPeriod
5000000000 usd
CY2017Q2 aon Stock Repurchase Program Authorized Amount Increase During Period
StockRepurchaseProgramAuthorizedAmountIncreaseDuringPeriod
5000000000 usd
CY2023Q1 us-gaap Schedule Of Repurchase Agreements
ScheduleOfRepurchaseAgreements
<div style="margin-bottom:3pt;margin-top:3pt;text-align:justify"><span style="color:#000000;font-family:'Times New Roman',sans-serif;font-size:10pt;font-weight:400;line-height:120%">The following table summarizes the Company’s share repurchase activity (in millions, except per share data):</span></div><div style="margin-top:3pt"><table style="border-collapse:collapse;display:inline-table;margin-bottom:5pt;vertical-align:text-bottom;width:100.000%"><tr><td style="width:1.0%"/><td style="width:71.560%"/><td style="width:0.1%"/><td style="width:1.0%"/><td style="width:12.204%"/><td style="width:0.1%"/><td style="width:0.1%"/><td style="width:0.530%"/><td style="width:0.1%"/><td style="width:1.0%"/><td style="width:12.206%"/><td style="width:0.1%"/><td colspan="3" style="display:none"/><td colspan="3" style="display:none"/><td colspan="3" style="display:none"/><td colspan="3" style="display:none"/></tr><tr><td colspan="3" style="padding:0 1pt"/><td colspan="9" style="padding:2px 1pt;text-align:center;vertical-align:bottom"><span style="color:#000000;font-family:'Times New Roman',sans-serif;font-size:8pt;font-weight:700;line-height:100%">Three Months Ended March 31,</span></td><td colspan="3" style="display:none"/><td colspan="3" style="display:none"/></tr><tr><td colspan="3" style="padding:0 1pt"/><td colspan="3" style="border-top:1pt solid #000000;padding:2px 1pt;text-align:center;vertical-align:bottom"><span style="color:#000000;font-family:'Times New Roman',sans-serif;font-size:8pt;font-weight:700;line-height:100%">2023</span></td><td colspan="3" style="border-top:1pt solid #000000;padding:0 1pt"/><td colspan="3" style="border-top:1pt solid #000000;padding:2px 1pt;text-align:center;vertical-align:bottom"><span style="color:#000000;font-family:'Times New Roman',sans-serif;font-size:8pt;font-weight:700;line-height:100%">2022</span></td><td colspan="3" style="display:none"/><td colspan="3" style="display:none"/><td colspan="3" style="display:none"/><td colspan="3" style="display:none"/></tr><tr><td colspan="3" style="background-color:#cceeff;border-top:1pt solid #000000;padding:2px 1pt;text-align:left;vertical-align:bottom"><span style="color:#000000;font-family:'Times New Roman',sans-serif;font-size:10pt;font-weight:400;line-height:100%">Shares repurchased</span></td><td colspan="2" style="background-color:#cceeff;border-top:1pt solid #000000;padding:2px 0 2px 1pt;text-align:right;vertical-align:bottom"><span style="color:#000000;font-family:'Times New Roman',sans-serif;font-size:10pt;font-weight:400;line-height:100%">1.8 </span></td><td style="background-color:#cceeff;border-top:1pt solid #000000;padding:2px 1pt 2px 0;text-align:right;vertical-align:bottom"/><td colspan="3" style="background-color:#cceeff;border-top:1pt solid #000000;padding:0 1pt"/><td colspan="2" style="background-color:#cceeff;border-top:1pt solid #000000;padding:2px 0 2px 1pt;text-align:right;vertical-align:bottom"><span style="color:#000000;font-family:'Times New Roman',sans-serif;font-size:10pt;font-weight:400;line-height:100%">2.8 </span></td><td style="background-color:#cceeff;border-top:1pt solid #000000;padding:2px 1pt 2px 0;text-align:right;vertical-align:bottom"/><td colspan="3" style="display:none"/><td colspan="3" style="display:none"/><td colspan="3" style="display:none"/><td colspan="3" style="display:none"/></tr><tr><td colspan="3" style="background-color:#ffffff;padding:2px 1pt;text-align:left;vertical-align:bottom"><span style="color:#000000;font-family:'Times New Roman',sans-serif;font-size:10pt;font-weight:400;line-height:100%">Average price per share</span></td><td style="background-color:#ffffff;padding:2px 0 2px 1pt;text-align:left;vertical-align:bottom"><span style="color:#000000;font-family:'Times New Roman',sans-serif;font-size:10pt;font-weight:400;line-height:100%">$</span></td><td style="background-color:#ffffff;padding:2px 0;text-align:right;vertical-align:bottom"><span style="color:#000000;font-family:'Times New Roman',sans-serif;font-size:10pt;font-weight:400;line-height:100%">305.31 </span></td><td style="background-color:#ffffff;padding:2px 1pt 2px 0;text-align:right;vertical-align:bottom"/><td colspan="3" style="background-color:#ffffff;padding:0 1pt"/><td style="background-color:#ffffff;padding:2px 0 2px 1pt;text-align:left;vertical-align:bottom"><span style="color:#000000;font-family:'Times New Roman',sans-serif;font-size:10pt;font-weight:400;line-height:100%">$</span></td><td style="background-color:#ffffff;padding:2px 0;text-align:right;vertical-align:bottom"><span style="color:#000000;font-family:'Times New Roman',sans-serif;font-size:10pt;font-weight:400;line-height:100%">294.47 </span></td><td style="background-color:#ffffff;padding:2px 1pt 2px 0;text-align:right;vertical-align:bottom"/><td colspan="3" style="display:none"/><td colspan="3" style="display:none"/><td colspan="3" style="display:none"/><td colspan="3" style="display:none"/></tr><tr><td colspan="3" style="display:none"/><td colspan="3" style="display:none"/><td colspan="3" style="display:none"/><td colspan="3" style="display:none"/><td colspan="3" style="display:none"/><td colspan="3" style="display:none"/><td colspan="3" style="display:none"/><td colspan="3" style="display:none"/></tr><tr><td colspan="3" style="background-color:#cceeff;border-bottom:1pt solid #000;padding:2px 1pt;text-align:left;vertical-align:bottom"><div><span style="color:#000000;font-family:'Times New Roman',sans-serif;font-size:10pt;font-weight:400;line-height:112%">Repurchase costs recorded to accumulated deficit</span></div></td><td style="background-color:#cceeff;border-bottom:1pt solid #000;padding:2px 0 2px 1pt;text-align:left;vertical-align:bottom"><span style="color:#000000;font-family:'Times New Roman',sans-serif;font-size:10pt;font-weight:400;line-height:100%">$</span></td><td style="background-color:#cceeff;border-bottom:1pt solid #000;padding:2px 0;text-align:right;vertical-align:bottom"><span style="color:#000000;font-family:'Times New Roman',sans-serif;font-size:10pt;font-weight:400;line-height:100%">550 </span></td><td style="background-color:#cceeff;border-bottom:1pt solid #000;padding:2px 1pt 2px 0;text-align:right;vertical-align:bottom"/><td colspan="3" style="background-color:#cceeff;border-bottom:1pt solid #000;padding:0 1pt"/><td style="background-color:#cceeff;border-bottom:1pt solid #000;padding:2px 0 2px 1pt;text-align:left;vertical-align:bottom"><span style="color:#000000;font-family:'Times New Roman',sans-serif;font-size:10pt;font-weight:400;line-height:100%">$</span></td><td style="background-color:#cceeff;border-bottom:1pt solid #000;padding:2px 0;text-align:right;vertical-align:bottom"><span style="color:#000000;font-family:'Times New Roman',sans-serif;font-size:10pt;font-weight:400;line-height:100%">828 </span></td><td style="background-color:#cceeff;border-bottom:1pt solid #000;padding:2px 1pt 2px 0;text-align:right;vertical-align:bottom"/><td colspan="3" style="display:none"/><td colspan="3" style="display:none"/><td colspan="3" style="display:none"/><td colspan="3" style="display:none"/></tr><tr><td colspan="3" style="display:none"/><td colspan="3" style="display:none"/><td colspan="3" style="display:none"/><td colspan="3" style="display:none"/><td colspan="3" style="display:none"/><td colspan="3" style="display:none"/><td colspan="3" style="display:none"/><td colspan="3" style="display:none"/></tr><tr><td colspan="3" style="display:none"/><td colspan="3" style="display:none"/><td colspan="3" style="display:none"/><td colspan="3" style="display:none"/><td colspan="3" style="display:none"/><td colspan="3" style="display:none"/><td colspan="3" style="display:none"/><td colspan="3" style="display:none"/></tr></table></div>
CY2023Q1 us-gaap Treasury Stock Shares Acquired
TreasuryStockSharesAcquired
1800000 shares
CY2022Q1 us-gaap Treasury Stock Shares Acquired
TreasuryStockSharesAcquired
2800000 shares
CY2023Q1 us-gaap Treasury Stock Acquired Average Cost Per Share
TreasuryStockAcquiredAverageCostPerShare
305.31
CY2022Q1 us-gaap Treasury Stock Acquired Average Cost Per Share
TreasuryStockAcquiredAverageCostPerShare
294.47
CY2023Q1 us-gaap Treasury Stock Value Acquired Cost Method
TreasuryStockValueAcquiredCostMethod
550000000 usd
CY2022Q1 us-gaap Treasury Stock Value Acquired Cost Method
TreasuryStockValueAcquiredCostMethod
828000000 usd
CY2023Q1 us-gaap Stock Repurchase Program Remaining Authorized Repurchase Amount1
StockRepurchaseProgramRemainingAuthorizedRepurchaseAmount1
5500000000 usd
us-gaap Treasury Stock Shares Acquired
TreasuryStockSharesAcquired
162500000 shares
us-gaap Treasury Stock Value Acquired Cost Method
TreasuryStockValueAcquiredCostMethod
22000000000 usd
CY2023Q1 us-gaap Weighted Average Number Of Shares Outstanding Basic
WeightedAverageNumberOfSharesOutstandingBasic
206100000 shares
CY2022Q1 us-gaap Weighted Average Number Of Shares Outstanding Basic
WeightedAverageNumberOfSharesOutstandingBasic
215300000 shares
CY2023Q1 us-gaap Incremental Common Shares Attributable To Share Based Payment Arrangements
IncrementalCommonSharesAttributableToShareBasedPaymentArrangements
1000000.0 shares
CY2022Q1 us-gaap Incremental Common Shares Attributable To Share Based Payment Arrangements
IncrementalCommonSharesAttributableToShareBasedPaymentArrangements
1100000 shares
CY2023Q1 us-gaap Weighted Average Number Of Diluted Shares Outstanding
WeightedAverageNumberOfDilutedSharesOutstanding
207100000 shares
CY2022Q1 us-gaap Weighted Average Number Of Diluted Shares Outstanding
WeightedAverageNumberOfDilutedSharesOutstanding
216400000 shares
CY2023Q1 us-gaap Antidilutive Securities Excluded From Computation Of Earnings Per Share Amount
AntidilutiveSecuritiesExcludedFromComputationOfEarningsPerShareAmount
0 shares
CY2022Q1 us-gaap Antidilutive Securities Excluded From Computation Of Earnings Per Share Amount
AntidilutiveSecuritiesExcludedFromComputationOfEarningsPerShareAmount
900000 shares
CY2023Q1 us-gaap Oci Before Reclassifications Net Of Tax Attributable To Parent
OciBeforeReclassificationsNetOfTaxAttributableToParent
53000000 usd
CY2023Q1 us-gaap Reclassification From Aoci Current Period Before Tax Attributable To Parent
ReclassificationFromAociCurrentPeriodBeforeTaxAttributableToParent
-37000000 usd
CY2023Q1 us-gaap Reclassification From Aoci Current Period Tax
ReclassificationFromAociCurrentPeriodTax
-11000000 usd
CY2023Q1 us-gaap Reclassification From Aoci Current Period Net Of Tax Attributable To Parent
ReclassificationFromAociCurrentPeriodNetOfTaxAttributableToParent
-26000000 usd
CY2023Q1 us-gaap Other Comprehensive Income Loss Net Of Tax Portion Attributable To Parent
OtherComprehensiveIncomeLossNetOfTaxPortionAttributableToParent
79000000 usd
CY2022Q1 us-gaap Oci Before Reclassifications Net Of Tax Attributable To Parent
OciBeforeReclassificationsNetOfTaxAttributableToParent
4000000 usd
CY2022Q1 us-gaap Reclassification From Aoci Current Period Before Tax Attributable To Parent
ReclassificationFromAociCurrentPeriodBeforeTaxAttributableToParent
-32000000 usd
CY2022Q1 us-gaap Reclassification From Aoci Current Period Tax
ReclassificationFromAociCurrentPeriodTax
-8000000 usd
CY2022Q1 us-gaap Reclassification From Aoci Current Period Net Of Tax Attributable To Parent
ReclassificationFromAociCurrentPeriodNetOfTaxAttributableToParent
-24000000 usd
CY2022Q1 us-gaap Other Comprehensive Income Loss Net Of Tax Portion Attributable To Parent
OtherComprehensiveIncomeLossNetOfTaxPortionAttributableToParent
28000000 usd
CY2023Q1 us-gaap Defined Benefit Plan Contributions By Employer
DefinedBenefitPlanContributionsByEmployer
23000000 usd
CY2022Q1 us-gaap Defined Benefit Plan Contributions By Employer
DefinedBenefitPlanContributionsByEmployer
29000000 usd
CY2023Q1 us-gaap Other Comprehensive Income Loss Cash Flow Hedge Gain Loss Before Reclassification And Tax
OtherComprehensiveIncomeLossCashFlowHedgeGainLossBeforeReclassificationAndTax
0 usd
CY2022Q1 us-gaap Other Comprehensive Income Loss Cash Flow Hedge Gain Loss Before Reclassification And Tax
OtherComprehensiveIncomeLossCashFlowHedgeGainLossBeforeReclassificationAndTax
1000000 usd
CY2023Q1 us-gaap Letters Of Credit Outstanding Amount
LettersOfCreditOutstandingAmount
72000000 usd
CY2022Q4 us-gaap Letters Of Credit Outstanding Amount
LettersOfCreditOutstandingAmount
74000000 usd
CY2023Q1 us-gaap Guarantee Obligations Maximum Exposure
GuaranteeObligationsMaximumExposure
114000000 usd
CY2022Q4 us-gaap Guarantee Obligations Maximum Exposure
GuaranteeObligationsMaximumExposure
173000000 usd
CY2023Q1 aon Number Of Revenue Lines
NumberOfRevenueLines
4 revenue_line
CY2023Q1 us-gaap Number Of Reportable Segments
NumberOfReportableSegments
1 segment
CY2023Q1 aon Number Of Performance Metrics Measured
NumberOfPerformanceMetricsMeasured
4 performance_metric
CY2023Q1 us-gaap Number Of Reportable Segments
NumberOfReportableSegments
1 segment

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